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Saurashtra Cement Limited — Annual Report 2021
Jun 1, 2021
61847_rns_2021-06-01_1e30d455-73e4-4cac-b14a-6ae6acab2bf5.pdf
Annual Report
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Sau rashtra Cement Limited NK Wehta ntorrtional House, 2nd Floor,
178 Backbay Reclamation, Mumbai 400 020 T +91 22 6636 5444 F +91 22 6636 5445, E [email protected] CIN : L26941GJ1956PLC000840
Ref: B/ SCL/SE/SS/21/ 2021-22 June 01, 2021
Corporate Relationship Manager, BSE Limited, 1t Floor, New Trading Ring, Rotunda Bldg, P.J. Tower, Dalal Street, Mumbai 400001
Stock Code No: 502175
Dear Sir / Madam,
Sub: Newspaper advertisement for Audited Financial Results for the fourth quarter and year ended March 31, 2021
Pursuant to Regulation 47 of the SEBI (Listing Obligations and Disclosure Requirements) Regulations, 2015 please find enclosed herewith copies of newspaper advertisement of Audited Financial Results for the fourth quarter and year ended March 31, 2021 published in Business Standard (English and Hindi) and Jaihind (Gujarati) on June 01, 2021.
Kindly take the same on your record and acknowledge.
Thanking you,
Yours faithfully For Saurashtra Cement Limited
Sonali pono Sanas eSnas80
Sonali Sanas Sr. Vice President (Legal) & Company Secretary

Ragd. Office & Works Near Railway Station, Ranavay 360 560 Gujarat, india

| 14 | Net Profit / (Loss) for the period after tax (after Exceptional and/or | 717.10 | 1004.24 |
|---|---|---|---|
| Extraordinary items) | |||
| 5 | Total Comprehensive Income for the period [Comprising Profit / (Loss) | 717.10 | 1004.24 |
| for the period (after tax) and Other Comprehensive Income (after tax)] | |||
| 6 | Paid up Equity Share Capital | 1431.28 | 1363.71 |
| 7 | Reserves and Surplus (excluding Revaluation Reserve) | 8085.80 | 6936.25 |
| 8 | Net worth | 9345.43 | 8164.48 |
| 9 | Paid up Debt Capital / Outstanding Debt | 39362.01 | 36427.49 |
| 10 | Outstanding Redeemable Preference Shares | Nil | Nil |
| 11 | Debt Equity Ratio | 4.21 | 4.46 |
| 12 | Earnings Per Share (of Rs. 10/- each) (for continuing and | ||
| discontinued operations) - | |||
| 1. Basic: | 5.13 | 7.58 | |
| 2. Diluted: | 5.13 | 7.58 | |
| 13 | Capital Redemption Reserve | Not Applicable | Not Applicable |
| 14 | Debenture Redemption Reserve | Not Applicable | Not Applicable |
| 15 | Debt Service Coverage Ratio | Not Applicable | Not Applicable |
| 16 | Interest Service Coverage Ratio | Not Applicable | Not Applicable |
1331.53
Net Profit / (Loss) for the period before tax (after Exceptional and/or
Notes:
$\overline{\mathbf{3}}$
Extraordinary items)
-
In Compliance of Regulation 52 of the SEBI (Listing Obligations and Disclosure Requirements) Regulations, 2015, the comp financial results for the year and half year ended March 31,2021. The above financials were approved by board in thei 2021
-
. The above results is an extract of the detailed format of audited annual financial results filed with the Stock Exchanges SEBI (Listing Obligations and Disclosure Requirements) Regulations, 2015. The full format of the annual financial re websites of the Stock Exchange(s) and the listed entity. (https://www.bseindia.com and https://www.lifc.co.in).
- } For the items referred in sub-clauses (a), (b), (d) and (e) of the Regulation 52 (4) of the SEBI (Listing Obligations and Regulations, 2015, the pertinent disclosures have been made to the Stock Exchange(s) (BSE Ltd.) and can I (https://www.bseindia.com)
Additional information as required by Regulation 52(4) of SEBI (Listing Obligations and Disclosure Requirements) Regulation الموادر (i) The Brickwork ratings (BWR) & Acuite Ratings have assigned following ratings to the company
| Facility | 31 Mar-21 | 31 Mar 20 |
|---|---|---|
| (a)Non-Convertible Debentures | BWR BBB+(Stable) | |
| Acuite BBB + (Stable) | ||
| (b) Bank Loan Facilities | BWR BBB+(Stable) | Acuite BBB+ |
| Acuite BBB + (Stable) |
ii) Previous due date for the payment of interest/dividend for Non Convertible Redeemable Preference Shares/repayment of preference shares/ Non Convertible Debt Securities and whether the same as been paid or not: Details of Interest amount at website of BSE i.e. www.bseindia.com and accessed on the company website www.lifc.co.in, the company does Convertible Redeemable Preference Shares.
iii) Next due date for the payment of interest/ dividend of Non Convertible Preference Shares / principal along with the amo Non Convertible Preference Shares payable and the redemption amount: The Company does not have any outstanding N shares.Details of Interest amount due and payable is available at website of BSE i.e. www.bseindia.com and accesse www.lifc.co.in, the company does not have outstanding Non Convertible Redeemable Preference Shares.
| For and on behalf of Board of Directors of Laxmi India Finleasecap Private Limited |
vou, at /invitina notice as Please n |
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|---|---|---|
| Place:Jaipur Date: 31.05.2021 |
Sdi- Deepak Baid (Chairman & Managing Director) DIN: 03373264 |
as waive limitation Place - Su |
| 1365.34 | Place - Surat Date: 09.04.2021 | in the right to make further demands in respect of sums owing to us. | Yours faithfully, | above, your right to redeem the secured assets will not be available. | 5. Please note that this demand notice is without prejudice to and shall not be | |||||||
|---|---|---|---|---|---|---|---|---|---|---|---|---|
| 1004.24 | (Chief Manager and Authorised Officer) | construed as waiver of any other rights or remedies which we may have, including without limitation, in the right to make further demands in respect of sums owing |
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| बैंक ऑफ़ बड़ौदा Bank of Baroda |
Beside Gujarat Petroleum, Olpad, Dist- Surat- 394540. E-mail: [email protected], Phone: 912621222032 |
Olpad Branch, Olpad Surat Main Road, C/o Patel Timber Mart, | to us. Place - Surat Date: 09.04.2021 |
Yours faithfully. (Chief Manager and Authorised Officer) |
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| 1004.24 | NOTICE TO BORROWER | DATE: 09.04.2021 | बैंक ऑफ़ बडीदा | Olpad Branch, Olpad Surat Main Road, C/o Patel Timber Mart, | ||||||||
| (UNDER SUB-SECTION (2) OF SECTION 13 OF THE SARFAESI ACT, 2002) | Bank of Barode | Beside Gujarat Petroleum, Olpad, Dist- Surat- 394540. E-mail: [email protected], Phone: 912621222032 |
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| 1363.71 6936.25 |
Mr. JAYCHAND GHANSHYAM SAROJ | NOTICE TO BORROWER | Date 09.04.2021 | |||||||||
| 8164.48 | Dear Sir/s | Add: - Plot No 254, Gruham Exotica, Near Atodara Chowkdi, olpad Sayan Road, Karmala, Surat 394540 | (UNDER SUB-SECTION (2) OF SECTION 13 OF THE SARFAESI ACT, 2002) | |||||||||
| 36427.49 | Re: Credit facilities with our olpad Branch. | We refer to our letter no. Adv/Retail00000026923-LMS dated 12.10.2018 for your | To. Mrs. KAILASHBEN CHETANBHAI RAVAL & |
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| Nil | advance account Mr. JAYCHAND GHANSHYAM SAROJ (Borrower) conveying sanction of various credit facilities and the terms of sanction. Pursuant to the above sanction you |
Mr. CHETANBHAI HIRJIBHAI RAVAL | Add- Plot No 366, Gruham Exotica, Near Atodara Chowkdi, Olpad Sayan Road, Olpad 394540 | |||||||||
| 4.46 | have availed and started utilizing the credit facilities after providing security for the same, as hereinafter stated. The present outstanding in various loan/credit facility accounts and |
Dear Sir/s Re: Credit facilities with our olpad Branch. |
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| the security interests created for such liability are as under: | Security agreement | We refer to our letter no. BOB/ADV Retail-00000031379 dated 13.11.2018 for your advance account Mrs. KAILASHBEN CHETANBHAI RAVAL and Mr.CHETANBHAI |
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| Nature and Type of facility |
Limit | Rates of Interest |
$0$ /s as on 09.04.2021 |
with brief description of securities |
HIRJIBHAI RAVAL (Borrowers) conveying sanction of various credit facilities and the terms of sanction. Pursuant to the above sanction you have availed and started utilizing |
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| 7.58 | Baroda HOME | 8.55% | Rs. 8,52,272/- | created at olpad branch on 14.12.2018 |
the credit facilities after providing security for the same, as hereinafter stated. The present outstanding in various loan/credit facility accounts and the security interests created for |
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| 7.58 | Loan –term Ioan Rs. 8,64,000/- | Net Interest |
unapplied interest | and registered | such liability are as under: | Security agreement | ||||||
| le | Not Applicable | Rate | through Instrument of deposit of Title Deed |
Nature and Type of facility |
Limit | Rates of Interest |
$0$ /s as on 09.04.2021 |
with brief description of securities |
||||
| le | Not Applicable | Dated 14.12.2018. vide Reg No 19423 |
Baroda HOME | Rs.12,79,800/ | 8.95% | Rs. 12,91,042.90 | created at olpad branch | |||||
| le | Not Applicable | **Description of Mortgage Property mentioned below:- | With sub-registrar surat | Loan –term loan | Net Interest |
Unapplied interest | on 11.12.2018 and registered through |
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| le | Not Applicable | All that piece and parcel of plot No 254 admeasuring about 48 sq.yard,40.13 sq.mtr.(40.18 sq.mtr. according to 7/12) together with construction on ground floor of |
Rate | Instrument of deposit of Title |
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| Gruham Exotica situated on the Block no 266 of village Karmala,Taluka olpad, District | Deed Dated 11.12.2018. vide Reg No 19296 With |
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| pany has published audited r meeting held on May 31, |
Surat stands in the name of M/s. Gruham Exotica,a partnership firm North: Plot no 255, South: Plot no 253, East: Plot no 231, West: Road |
**Description of Mortgage Property mentioned below:- | sub-registrar Olpad | |||||||||
| 1.In the Document of Loan Agreement for Baroda Home Loan dated 23.10.2018 and Baroda you have acknowledged your liability to the Bank to the tune of Rs. 8,64,000/- lakhs as on 23.10.2018. The outstanding stated above |
(1) All that piece and parcel of Polt No.366 admeasuring about 72 sq.yard,60.20 sq.mtr.(60.28 Sq.mtr. According To 7/12) together with construction on the ground |
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| under Regulation 52 of the esults are available on the |
debited to the account are Rs. Nil. | include further drawings and interest upto 09.04.2021. Other charges | Olpad, District-Surat. | floor of Gruham Exotica situated on the Block No.266 Village- Karmala, Taluka- Boundaries:- East-Road, West:-Plot no 383, North:-Plot no 367, South:-Plot no.365 |
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| Disclosure Requirements) be accessed on the URL |
2.As you are aware, you have committed defaults in payment of interest on above loans/outstanding for the quarter ended 31.03.2021. You have also defaulted in payment of installments of term loan/demand loans which have fa | 1.In the Document of Loan Agreement for Baroda Home Loan dated 22.11.2018 you have acknowledged your liability to the Bank to the tune of Rs. 12,79,800/- as on 22.11.2018. The outstanding stated above include further drawi |
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| payment on 31.03.2021 and thereafter. | upto 31.03.2021. Other charges debited to the account are Rs. Nil. | |||||||||||
| : 2015 are given below:- | 3. Consequent upon the defaults committed by you, your loan account has been classified as non-performing asset on (31.03.2021) (mention date of classification as NPA) in accordance with the Reserve Bank of India directive Inspite of our repeated requests and demands you have not repaid the overdue loans |
2. As you are aware, you have committed defaults in payment of interest on above loans/outstanding for the quarter ended 31.03.2021. You have also defaulted in payment of installments of term loan/demand loans which have f |
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| 31-Mar-20 | including interest thereon. | 4.Having regard to your inability to meet your liabilities in respect of the credit facilities | ||||||||||
| duly secured by various securities mentioned in para 1 above, and classification of | 3. Consequent upon the defaults committed by you, your loan account has been classified as non-performing asset on (31.03.2021) (mention date of classification as NPA) in accordance with the Reserve Bank of India directive |
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| By social as a non-performing asset, we hereby give you notice under sub- section (2) of section 13 of the Securitisation and Reconstruction of Financial Assets and Enforcement of Security Interest Act, 2002, and call upon |
including interest thereon. | |||||||||||
| Acuite BBB+ | thereon, plus other charges as stated in para 1 above, within 60 days from the date | 4.Having regard to your inability to meet your liabilities in respect of the credit facilities duly secured by various securities mentioned in para 1 above, and classification of |
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| of this notice. We further give you notice that failing payment of the above amount with interest till the date of payment, we shall be free to exercise all or any of the rights |
dury second as a non-performing asset, we hereby give you notice under sub- section (2) of section 13 of the Securitisation and Reconstruction of Financial Assets and Enforcement of Security Interest Act, 2002, and call up |
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| principal of non convertible due and payable is availble |
under sub-section (4) of section 13 of the said Act, which please note. | 5. Please note that, interest will continue to accrue at the rates specified in para 1 above | ||||||||||
| not have outstanding Non | We further give you notice that failing payment of the above amount with interest till the date of payment, we shall be free to exercise all or any of the rights under sub- |
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| ount of interest/dividend of | For each credit facility until payment in full. To each credit facility until payment in full. S. We invite your attention to sub-section 13 of the said Act in terms of which you are barred from transferring any of the |
section (4) of section 13 of the said Act, which please note. | ||||||||||
| lon Convertible Preference d on the company website |
provision contained in section 13(13) of the said Act, is an offence punishable under | 5. Please note that, interest will continue to accrue at the rates specified in para 1 above for each credit facility until payment in full. 6. We invite your attention to sub-section 13 of the said Act in terms of which you are |
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| section 29 of the Act. | 7. We further invite your attention to sub section (8) of section 13 of the said Act in | barred from transferring any of the secured assets referred to in para 1 above by way of sale, lease or otherwise (other than in the ordinary course of business), without | ||||||||||
| terms of which you may redeem the secured assets, if the amount of dues together with all costs, charges and expenses incurred by the Bank is tendered by you, at any times before the date of publication of notice for public auction /inviting quotation/tender/private treaty. Please note that af |
obtaining our prior written consent. | |||||||||||
| of Board of Directors of | notice as above, your right to redeem the secured assets will not be available." | We may add that non-compliance with the above provision contained in section 13(13) of the said Act, is an offence punishable under section 29 of the Act. 7. We further invite your attention to sub section (8) of section 13 of the said Act in |
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| Sd/- | asecap Private Limited | 8. Please note that this demand notice is without prejudice to and shall not be construed as waiver of any other rights or remedies which we may have, including without limitation, the right to make further demands in resp |
terms of which you may redeem the secured assets, if the amount of dues together with all costs, charges and expenses incurred by the Bank is tendered, by you, at any |
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| nan & Managing Director) | Yours faithfully. | times before the date of publication of notice for public auction /inviting quotation/ tender /private treaty. Please note that after publication of the notice as above, your right to redeem the secured assets will not be |
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| 03373264 | Place - Surat DATE : 09.04.2021 | (Chief Manager and Authorised Officer) | 8. Please note that this demand notice is without prejudice to and shall not be construed as waiver of any other rights or remedies which we may have, including without limitation, the right to make further demands in res |
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| Place - Surat Date 09.04.2021 | Yours faithfully, (Chief Manager and Authorised Officer) |
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UAC ces
E-Tender Notice E-Tender No.: 01/CE (E&S)/UNL/HQ/2021-22 "FLUE GAS DESULPHURIZATION (FGD) DSI SYSTEM PACKAGE EPC CONTRACT FOR OBRA THERMAL POWER STATION" uploaded on 31.05.2021 at hitps:/Awww.mstcecommerce.com/| eprochome/uprvunl/. Time Period : 12 months. E.M.D. cost: 1,37,40,000/- (INR One Crore Thirty Seven Lakhs Forty Thousand only). Last date of tender submission: 05.07.2021 at 16:00 Hrs. Total Quality of work , tender specification and other terms & condition is as per tender document available on the etender portal. Undersigned reserves the right to cancel the e-Bids} without assigning any reason.
EK WABAG sustalnable solutions. for a better Ilfe. VA TECH WABAG LIMITED CIN : L45205TN1995PLC030231 Regd. Office: "WABAG HOUSE', No.17, 200 Feet Thoraipakkam-Pallavaram Main Road, Sunnambu Kolathur, Chennai 600 117, Tamil Nadu, India Phone : +91 44 6123 2323 Fax : +91-44-6123 2324 Website : www.wabag.com | Email: [email protected] Notice is hereby given in compliance with the provisions of Regulation 47 (1) of the SEBI (Listing Obligations & Disclosure Requirements) Regulations, 2015 that a meeting of the Board of Directors of the Company will be held on Saturday, the 5" June 2021, to inter alia, consider, approve and take on record, the audited financial results (both standalone and consolidated) of the Company for the quarter and financial year ended 31" March 2021. This information is also available on Company's website at www.wabag.com and on Stock Exchanges' website at

| VA TECH WABAG LIMITED E-Tender Notice E-Tender No.: 01/CE (E&S)/UNL/HQ/2021-22 "FLUE GAS CIN : L45205TN1995PLC030231 DESULPHURIZATION (FGD) DSI SYSTEM PACKAGE EPC Regd. Office: "WABAG HOUSE', No.17, 200 Feet Thoraipakkam-Pallavaram Main Road, CONTRACT FOR OBRA THERMAL POWER STATION" Sunnambu Kolathur, Chennai 600 117, Tamil Nadu, India Phone : +91 44 6123 2323 Fax : +91-44-6123 2324 uploaded on 31.05.2021 at hitps:/Awww.mstcecommerce.com/ Website : www.wabag.com Email: [email protected] eprochome/uprvunl/. Time Period : 12 months. E.M.D. cost: 1,37,40,000/- (INR One Crore Thirty Seven Lakhs Forty Notice is hereby given in compliance with the provisions of Regulation 47 (1) of the SEBI (Listing Obligations & Thousand only). Last date of tender submission: 05.07.2021 at Disclosure Requirements) Regulations, 2015 that a 16:00 Hrs. Total Quality of work , tender specification and other meeting of the Board of Directors of the Company will be terms & condition is as per tender document available on the e held on Saturday, the 5" June 2021, to inter alia, consider, approve and take on record, the audited financial results tender portal. Undersigned reserves the right to cancel the e-Bids} (both standalone and consolidated) of the Company for the without assigning any reason. quarter and financial year ended 31" March 2021. Corrigendum, Addendum, Extension if any shall be uploaded This information is also available on Company's website at www.wabag.com and on Stock Exchanges' website at only on the above website. Bidders are advised to visit the www.nseindia.com_andwww.bseindia.com website regularly for updated information from time to time. CHIEF ENGINEER (E&S) By order of the Board For VA TECH WABAG Se A Re waie : 559/93. (vatoydgo) /amia/star 'a' — FGD/ feaia: 31 AY, 2021 Place : Chennai R.Swaminathan ag = Om care pebienl Company Date : 31" May 2021 SAURASHTRA CEMENT LIMITED |
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| (CIN : L26941G)1956PLC000840) H ATHI Registered Office : Near Railway Station, Ranavav 360 560 (Gujarat) Phone: 02801-234200 Fax: 02801-234376 Email: [email protected] Website: www.mehtagroup.com GEMeENT |
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| Standalone | Consolidated | |||||||||
| 'cul | Quarter ended | Year ended | Quarter ended | Year ended | ||||||
| fellas | 31.03.2021 31.12.2020 31.03.2020 31.03.2021 31.03.2020 31.03.2021 31.12.2020 31.03.2020 31.03.2021 31.03.2020 | |||||||||
| Audited Unaudited Audited Audited Audited } Audited Unaudited Audited Audited Audited | ||||||||||
| Zin Lakhs Zin Lakhs Zin Lakhs Zin Lakhs Zin Lakhs Zin Lakhs Zin Lakhs Zin Lakhs Zin Lakhs Zin Lakhs | ||||||||||
| Total Income from Operations | 24,727.92 20,925.70 17,977.68 68,601.29) 61,659.30) 24,728.21) 20,925.66] 17,977.57 68,601.58] 61,658.98 | |||||||||
| Profit from Operations before Exceptional Items & Tax | 4,574.11 3,064.35) 2,695.50) 10,255.82] 9,344.31) 4,572.07) 3,061.99] 2,692.51) 10,246.84) 9,333.91 | |||||||||
| Net Profit for the period after Exceptional Items and before Tax | 4574.11] 3,064.35) 1,095.50) 10,255.82] 7,744.31) 4,572.07) 3,061.99] 1,092.51) 10,246.84) 7,733.91 | |||||||||
| Net Profit for the period after Tax | 3,166.88 2,067.76) | 664.67] 7,238.16] 5,660.98) 3,164.84) 2,065.40] | 661.68) 7,229.18) 5,650.58 | |||||||
| Total Comprehensive Income after Tax | 3,058.65] 2,286.36) | 596.11) 7,625.54) 5,429.84) 3,056.61) 2,284.00} | 593.12) 7,616.56) 5,419.44 | |||||||
| Equity Share Capital | 6,982.15] 6,982.15] 6,952.15) 6,982.15) 6,952.15) 6,982.15) 6,982.15) 6,952.15] 6,982.15) 6,952.15 | |||||||||
| Other Equity | 45,428.51 38,259.76 | 45,298.10} 38,138.33 | ||||||||
| Basic Earnings per Share of € 10 each (not annualised) - In& | 4.54 | 2.97 | 0.96 | 10.39 | 8.15 | 4.53 | 2.97 | 0.95 | 10.38 | 8.14 |
| Diluted Earnings per Share of T 10 each (not annualised) - In& | 4.48 | 2.94 | 0.95 | 10.27 | 8.11 | 4.48 | 2.93 | 0.95 | 10.26 | 8.09 |
| Note : The above isan extract of the detailed format of Quarterly Financial Results filed with the Stack Exchange under Regulation 33 of the SEBI (Listing and Other Disclosure Requirements) Regulations, 2015. The full format of the Quarterly Financial Results are available on the Stock Exchange website www.bseindia.com and company's website sel.mehtagroup.com. Place : Mumbai |
By the Order of the Board Sd/- (M.S.Gilotra) |
For Saurashtra Cement Limite d | ||||||||
| Dated : MAY 29, 2021 | Managing Director | |||||||||
| KBS INDIA LIMITED | ||||||||||
| CIN: L51900MH1985PLC035718 | ||||||||||
| Regd Off: 502 commerce House, 140, Nagindas Master Road, Fort, Mumbai-400001 Tel No: 40362626, Fax No:40362618 | ||||||||||
| Website: www.kbs.co.in, E-mail:kbs @kbs.co.in EXTRACT OF STANDALONE AUDITED FINANCIAL RESULTS FOR THE QUARTER AND YEAR ENDED 31ST MARCH, 2021 Rs. In Lakh (Except EPS) FOR THE FOR THE FOR THE FOR THE FOR THE QUARTER QUARTER QUARTER YEAR YEAR ENDED ENDED ENDED ENDED ENDED Particulars 31.03.2021 31.12.2020 31.03.2020 31.03.2021 31.03.2020 |
Shareholders of Marksans Pharma Limited who have not registered their e-mail address so far are requested to register their e-mail address with the Company's Registrar and Transfer Agent M/s Bigshare Services Pvt. Ltd for receiving all communication including Annual Report, Notices, etc. from the Company electronically. E-mail address can be registered through the Registrar and Transfer Agent's website link at https:/Avww.bigshareonline.com// InvestorRegistration.aspx.

MARKSANS PHARMA LIMITED «yp CIN: L24110MH1992PLC066364
AUDITED FINANCIAL RESULTS FOR THE QUARTER AND YEAR ENDED 315" MARCH, 2021
| for the period (After Tax) and Other comprehensive income (After Tax)] | 14.88 | 1.02 | 5.63 | 5.58 6.85 |
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|---|---|---|---|---|---|---|---|---|
| Equity share capital (Face Value of (Rs. 10/-each) | 852.12 | 852.12 | 852.12 | 852.12 | 852.12 | |||
| Reserves (excluding Revaluation Reserves as per balance sheet | ||||||||
| of previous accounting year) | - | - | - | - | ||||
| Earnings Per Share (of Rs. 10/-each) | ||||||||
| (for continuing and discontinued operations):- | ||||||||
| 1. Basic: | 0.17 | 0.01 | 0.07 | 0.07 0.08 |
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| 2. Notes: |
Diluted: | 0.17 | 0.01 | 0.07 | 0.07 0.08 |
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| 1. The above is an extract of the detailed format of Audited Financial Results for quarter and year ended 31st March, 2021 filed with the Stock Exchanges under Regulation 33 of the SEBI (Listing Obligations and Disclosure Requirements) Regulations, 2015. The detailed Financial Results and its extracts are available on the website of the Company i.e. www.kbs.co.in and on the website of BSE Lid. i.e www.bseindia.com 2. The financial results were reviewed by the Audit Committee and approved by the Board of Directors in their meeting held on Monday, 31st May, 2021. The financials results are prepared in accordance with the Indian Accounting Standard (Ind-AS) as prescribed under section 133 of the Companies At, 2013, read with relevant provisions issued thereunder. 3. The figures for the quarter ended March 31 , 2021 and March 31, 2020 are balancing figures between the audited figurs in respect of the full financial year and published year to date figures upto the third quarter of the relevant financial year. 4. Previous periods's figures have been regrouped and reclassified, wherever necessary, to correspond ith those of the current period. Place: Mumbai |
For KBS India Limited Sd/- Tushar Shah Chairman & Managing Director |
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| DIN : 01729641 | ||||||||
| MARKSANS PHARMA LIMITED «yp Registered Office: 11" Floor, Grandeur, Veera Desai Extension Road, Oshiwara, Andheri [West], Mumbai - 400053. Telephone No.: 022-4001 2000, Fax No.: 022-4001 2011, E-mail: [email protected] |
CIN: L24110MH1992PLC066364 AUDITED FINANCIAL RESULTS FOR |
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| THE QUARTER | AND YEAR ENDED 315" MARCH, 2021 | @ in Million) | ||||||
| STANDALONE | CONSOLIDATED | |||||||
| Sr No. |
PARTICULARS | QUARTER ENDED | Current | Previous | Current Previous Year ended Year ended Year ended Year ended |
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| 31.03.2021 31.03.2020 31.03.2021 31.03.2020 31.03.2021 31.03.2020 | ||||||||
| (AUDITED) (AUDITED) (AUDITED) (AUDITED) (AUDITED) (AUDITED) | ||||||||
| 1 Total Income from operations 2 Net Profit/(Loss) for the period before Tax |
1,494.91 324.04 |
1,135.54 6,307.04 131.70 1,243.30 |
4,335.88 527.27 |
3,021.64] | 13,828.76 11,345.37 1,571.73 |
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| 3 Net Profit/(Loss) for the period after Tax | 236.88 | 74.11 | 983.81 | 379.03 | 2,385.38 | 1,207.54 | ||
| 4 Total Comprehensive Income for the period [Comprising Profit/(Loss) for the period (after tax) and Other Comprehensive Income (after tax)] |
233.51 | 75.40 | 981.85 | 380.66 | 2,390.06 | 1,273.18 | ||
| 5 Paid up Equity Share Capital (Face Value % 1 each) |
409.31 | 409.31 | 409.31 | 409.31 | 409.31 | 409.31 | ||
| 6 Earnings Per Share (Face Value f 1 each) | ||||||||
| - Basic | 0.58 | 0.18 | 2.40 | 0.93 | 5.76 | 2.86 | ||
| - Diluted | 0.58 | 0.18 | 2.40 | 0.93 | 5.76 | 2.86 |
Note:
| MARK SALDANHA | ||
|---|---|---|
| Place: Mumbai | ||
| Date : 31 May, 2021 | Chairman & Managing Director | |
| www.marksanspharma.com | DIN : 00020983 |
IMPORTANT COMMUNICATION TO THE SHAREHOLDERS
KPMG LLP Suite 1100 1000 Walnut Street Kansas City, MO 64106-2162
The Board of Directors Continental Exchange Solutions, Inc.:
Report on the Financial Statements
| fellas | 31.03.2021 31.12.2020 31.03.2020 31.03.2021 31.03.2020 31.03.2021 31.12.2020 31.03.2020 31.03.2021 31.03.2020 Audited Unaudited Audited Audited Audited } Audited Unaudited Audited Audited Audited |
||||||||||
|---|---|---|---|---|---|---|---|---|---|---|---|
| Zin Lakhs Zin Lakhs Zin Lakhs Zin Lakhs Zin Lakhs Zin Lakhs Zin Lakhs Zin Lakhs Zin Lakhs Zin Lakhs | |||||||||||
| Total Income from Operations Profit from Operations before Exceptional Items & Tax |
24,727.92 20,925.70 17,977.68 68,601.29) 61,659.30) 24,728.21) 20,925.66] 17,977.57 68,601.58] 61,658.98 4,574.11 3,064.35) 2,695.50) 10,255.82] 9,344.31) 4,572.07) 3,061.99] 2,692.51) 10,246.84) 9,333.91 |
||||||||||
| Net Profit for the period after Exceptional Items and before Tax | 3,166.88 2,067.76) | 4574.11] 3,064.35) 1,095.50) 10,255.82] 7,744.31) 4,572.07) 3,061.99] 1,092.51) 10,246.84) 7,733.91 | 661.68) 7,229.18) 5,650.58 | ||||||||
| Net Profit for the period after Tax Total Comprehensive Income after Tax |
3,058.65] 2,286.36) | 664.67] 7,238.16] 5,660.98) 3,164.84) 2,065.40] 596.11) 7,625.54) 5,429.84) 3,056.61) 2,284.00} |
593.12) 7,616.56) 5,419.44 | ||||||||
| Equity Share Capital Other Equity |
6,982.15] 6,982.15] 6,952.15) 6,982.15) 6,952.15) 6,982.15) 6,982.15) 6,952.15] 6,982.15) 6,952.15 | 45,428.51 38,259.76 | 45,298.10} 38,138.33 | ||||||||
| Basic Earnings per Share of € 10 each (not annualised) - In& Diluted Earnings per Share of T 10 each (not annualised) - In& |
4.54 4.48 |
2.97 2.94 |
0.96 0.95 |
10.39 10.27 |
8.15 8.11 |
4.53 4.48 |
2.97 2.93 |
0.95 0.95 |
10.38 10.26 |
8.14 8.09 |
|
| Note : The above isan extract of the detailed format of Quarterly Financial Results filed with the Stack Exchange under Regulation 33 of the SEBI (Listing and Other Disclosure Requirements) Regulations, 2015. The full format of the Quarterly Financial Results are available on the Stock Exchange website www.bseindia.com and company's website sel.mehtagroup.com. |
By the Order of the Board For Saurashtra Cement Limite d Sd/- |
||||||||||
| Place : Mumbai Dated : MAY 29, 2021 |
(M.S.Gilotra) Managing Director |
||||||||||
| KBS INDIA LIMITED | |||||||||||
| CIN: L51900MH1985PLC035718 Regd Off: 502 commerce House, 140, Nagindas Master Road, Fort, Mumbai-400001 Tel No: 40362626, Fax No:40362618 Website: www.kbs.co.in, E-mail:kbs @kbs.co.in EXTRACT OF STANDALONE AUDITED FINANCIAL RESULTS FOR THE QUARTER AND YEAR ENDED 31ST MARCH, 2021 |
|||||||||||
| FOR THE FOR THE | QUARTER QUARTER QUARTER | FOR THE FOR THE FOR THE YEAR |
Rs. In Lakh (Except EPS) | ||||||||
| Particulars | ENDED | ENDED | ENDED | ENDED 31.03.2021 31.12.2020 31.03.2020 31.03.2021 31.03.2020 |
YEAR ENDED |
||||||
| Total Income from operations | 85.29 | (Audited) (Unaudited) (Audited) 43.59 |
146.22 | 204.82 | (Audited) (Audited) | 263.36 | |||||
| Net Profit / (Loss) for the period (before Tax, Exceptional and/or Extraordinary items) |
17.10 | 1.02 | 7.76 | 7.80 | 9.45 | ||||||
| Net Profit / (Loss)for the period before tax (after Exceptional and/or Extraordinary items.) Net Profit / (Loss) for the period after tax \ |
17.10 | 1.02 | 7.76 | 7.80 | 9.45 | ||||||
| (after Exceptional and/or Extraordinary items). Total Comprehensive Income for the period [Comprising Profit / (Loss) |
14.88 | 1.02 | 5.63 | 5.58 | 6.85 | ||||||
| for the period (After Tax) and Other comprehensive income (After Tax)] Equity share capital (Face Value of (Rs. 10/-each) |
14.88 852.12 |
1.02 852.12 |
5.63 852.12 |
852.12 | 5.58 | 6.85 852.12 |
|||||
| Reserves (excluding Revaluation Reserves as per balance sheet of previous accounting year) |
- | - | - | - | - | ||||||
| Earnings Per Share (of Rs. 10/-each) (for continuing and discontinued operations):- |
|||||||||||
| Notes: | 1. Basic: Diluted: |
0.17 0.17 |
0.01 0.01 |
0.07 0.07 |
0.07 0.07 |
0.08 0.08 |
|||||
| 1. The above is an extract of the detailed format of Audited Financial Results for quarter and year ended 31st March, 2021 filed with the Stock Exchanges under Regulation 33 of the SEBI (Listing Obligations and Disclosure Requirements) Regulations, 2015. The detailed |
|||||||||||
| Financial Results and its extracts are available on the website of the Company i.e. www.kbs.co.in and on the website of BSE Lid. i.e www.bseindia.com |
|||||||||||
| 2. The financial results were reviewed by the Audit Committee and approved by the Board of Directors in their meeting held on Monday, 31st May, 2021. The financials results are prepared in accordance with the Indian Accounting Standard (Ind-AS) as prescribed under section 133 of the Companies At, 2013, read with relevant provisions issued thereunder. |
|||||||||||
| 3. The figures for the quarter ended March 31 , 2021 and March 31, 2020 are balancing figures between the audited figurs in respect of the full financial year and published year to date figures upto the third quarter of the relevant financial year. |
|||||||||||
| 4. Previous periods's figures have been regrouped and reclassified, wherever necessary, to correspond ith those of the current period. | |||||||||||
| For KBS India Limited Sd/- |
|||||||||||
| Place: Mumbai | Tushar Shah Chairman & Managing Director |
||||||||||
| DIN : 01729641 | |||||||||||
| MARKSANS PHARMA LIMITED | |||||||||||
| «yp | CIN: L24110MH1992PLC066364 | ||||||||||
| Registered Office: 11" Floor, Grandeur, Veera Desai Extension Road, Oshiwara, Andheri [West], Mumbai - 400053. Telephone No.: 022-4001 2000, Fax No.: 022-4001 2011, E-mail: [email protected] |
|||||||||||
| THE QUARTER | AUDITED FINANCIAL RESULTS FOR AND YEAR ENDED 315" MARCH, 2021 |
||||||||||
| STANDALONE | CONSOLIDATED | @ in Million) | |||||||||
| Sr | PARTICULARS | QUARTER ENDED | Current | Previous | Current Previous Year ended Year ended Year ended Year ended |
||||||
| No. | 31.03.2021 31.03.2020 31.03.2021 31.03.2020 31.03.2021 31.03.2020 | ||||||||||
| (AUDITED) (AUDITED) (AUDITED) (AUDITED) (AUDITED) (AUDITED) | |||||||||||
| 1 Total Income from operations | 1,494.91 | 1,135.54 6,307.04 | 4,335.88 | 13,828.76 11,345.37 3,021.64] |
1,571.73 | ||||||
| 2 Net Profit/(Loss) for the period before Tax |
324.04 | 131.70 1,243.30 | 527.27 | ||||||||
| 3 Net Profit/(Loss) for the period after Tax | 236.88 | 74.11 | 983.81 | 379.03 | 2,385.38 | 1,207.54 | |||||
| 4 Total Comprehensive Income for the period [Comprising Profit/(Loss) for |
233.51 | 75.40 | 981.85 | 380.66 | 2,390.06 | 1,273.18 | |||||
| the period (after tax) and Other | |||||||||||
| Comprehensive Income (after tax)] 5 Paid up Equity Share Capital |
409.31 | 409.31 | 409.31 | 409.31 | 409.31 | 409.31 | |||||
| (Face Value % 1 each) 6 Earnings Per Share (Face Value f 1 each) |
|||||||||||
| - Basic - Diluted |
0.58 0.58 |
0.18 0.18 |
2.40 2.40 |
0.93 0.93 |
5.76 5.76 |
2.86 2.86 |
|||||
| Note : The above is an extract of the detailed format of Audited financial results for the Quarter and Year ended filed with the Stock Exchanges under Regulation 33 of the SEBI (Listing Obligations and Disclosure Requirements) Regulations, 2015. The full format of Audited Financial Results are available on www.nseindia.com and www.bseindia.com and Company's website |
|||||||||||
| www.marksanspharma.com. | For MARKSANS PHARMA LIMITED | ||||||||||
| Place: Mumbai | MARK SALDANHA | ||||||||||
| Date : 31 May, 2021 | www.marksanspharma.com | Chairman & Managing Director | DIN : 00020983 | ||||||||
| IMPORTANT COMMUNICATION TO THE SHAREHOLDERS Shareholders of Marksans Pharma Limited who have not registered their e-mail address so far are requested to |
|||||||||||
| Note: | register their e-mail address with the Company's Registrar and Transfer Agent M/s Bigshare Services Pvt. Ltd for receiving all communication including Annual Report, Notices, etc. from the Company electronically. E-mail address can be registered through the Registrar and Transfer Agent's website link at https:/Avww.bigshareonline.com// |
We have audited the accompanying consolidated financial statements of Continental Exchange Solutions, Inc. and its subsidiaries, which comprise the consolidated balance sheet as of December 31, 2020, and the related consolidated statements of income and comprehensive income, changes in stockholder's equity, and cash flows for the year then ended, and the related notes to the consolidated financial statements.
Management's Responsibility for the Financial Statements
Management is responsible for the preparation and fair presentation of these consolidated financial statements in accordance with U.S. generally accepted accounting principles; this includes the design, implementation, and maintenance of internal control relevant to the preparation and fair presentation of consolidated financial statements that are free from material misstatement, whether due to fraud or error.
Auditors' Responsibility
Our responsibility is to express an opinion on these consolidated financial statements based on our audit. We conducted our audit in accordance with auditing standards generally accepted in the United States of America. Those standards require that we plan and perform the audit to obtain reasonable assurance about whether the consolidated financial statements are free from material misstatement.
An audit involves performing procedures to obtain audit evidence about the amounts and disclosures in the consolidated financial statements. The procedures selected depend on the auditors' judgment, including the assessmentof the risks of material misstatement of the consolidated financial statements, whether due to fraud or error. In making those risk assessments, the auditor considers internal control relevant to the entity's preparation and fair presentation of the consolidated financial statements in order to design audit procedures that are appropriate in the circumstances, but not for the purpose of expressing an opinion on the effectiveness of the entity's internal control. Accordingly, we express no such opinion. An audit also includes evaluating the appropriateness of accounting policies used and the reasonableness of significant accounting estimates made by management, as well as evaluating the overall presentation of the consolidated financial statements.
We believe that the audit evidence we have obtained is sufficient and appropriate to provide a basis for our audit opinion.
Opinion
In our opinion, the consolidated financial statements referred to above present fairly, in all material respects, the financial position of Continental Exchange Solutions, Inc. and its subsidiaries as of December 31, 2020, and the results of their operations and their cash flows for the year then ended, in accordance with U.S. generally accepted accounting principles.
| Year | ended December 31, 2020 | |||
|---|---|---|---|---|
| Common Stock |
Additional paid-in Capital |
Retained earnings |
Total | |
| Balance at December 31, 2019 Share-based compensation expense |
\$ 376,000 | \$ 207,052,999 2,871,704 |
95,571,765 | 303,000,764 2,871,704 |
| Dividend payment Net income |
(621,082) 45,739,362 |
(621,082) 45,739,362 |
||
| Balance at December 31, 2020 | \$ 376,000 | § 209,924,703 | 140,690,045 | 350,990,748 |
| The Full Set of Financial Statement, supplemental Schedules and accompanying notes are available upon request at our office |
||||
KPMG LLP
Kansas City, Missouri March 19, 2021
CONTINENTAL EXCHANGE SOLUTIONS, INC. AND SUBSIDIARIES
Consolidated Balance Sheet December 31, 2020
| Assets | ||
|---|---|---|
| Current assets: | |
|---|---|
| Cash and cash equivalents | \$ 352,142,587 |
| Accounts receivable, net of credit Loss allowance of \$ 4,477,568 |
64,899,570 |
| Advances to correspondents | 83,385,788 |
| Receivables from affiliates, net | 118,038,498 |
| Prepaid expenses and other current assets | 34,131,308 |
| Total current assets | 652,597,751 |
| Property and equipment, at cost | 77,137,428 |
| Less: accumulated depreciation | 48,122,182 |
| Property and equipment, net | 29,015,246 |
| Deferred tax assets | 6,394,838 |
| Goodwill and intangibles | 289,592 |
| Affiliate Loan receivable | 54,614,399 |
| Other assets | 85,138,836 |
| \$ "626,050,662 | |
Liabilities and Stockholder's Equity
Current liabilities: Accounts payable \$ 48,589,930 Amount payable to customers and correspondents 250,161,263 Payable to affiliates, net 88,195,975
| Accrued expenses and other current liabilities | 89,743,704 |
|---|---|
| Capital lease payable, current portion | 256,206 |
| Total current liabilities | 476,947,078 |
| Long-term liabilities: | |
| Capital lease payable, long-term portion | 112,836 |
| Total liabilities | 477,059,914 |
| Stockholder's equity: | |
| Common stock, no par value. authorized 3,000 shares; | |
| Issued and outstanding 200 shares in 2017 | 376,000 |
| Additional paid-in capital | 209,924,703 |
| Retained earnings | 140,690,045 |
| Total stockholder's equity | 350,990,748 |
| \$ 828,050,662 |
See accompanying notes to consolidated financial statements.
CONTINENTAL EXCHANGE SOLUTIONS, INC. AND SUBSIDIARIES
Consolidated Statement of Income and Comprehensive Income Year ended December 31, 2020
| Revenues | ||||
|---|---|---|---|---|
| Commission income | \$ 463,392,745 | |||
| Exchange income | 61,186,849 | |||
| Other income | 82,667,062 | |||
| Total revenues | 607,246,656 | |||
| Cost of revenues: | ||||
| Agent costs | 237,629,582 | |||
| Correspondent expenses | 82,610,607 | |||
| Other cost of revenues | 52,568,025 | |||
| Total cost of revenues | 372,808,214 | |||
| Gross profit | 234,438,442 | |||
| Selling, general and administrative expenses | 174,538,618 | |||
| Operating income | 59,899,824 | |||
| Other income (expense): | ||||
| Interest Income | 2,617,633 | |||
| Interest expense | (35,141) | |||
| Foreign currency exchange Loss, net | (1,668,218) | |||
| Income before income taxes | 60,814,097 | |||
| Income tax expense | 15,074,735 | |||
| Net income | 45,739,362 | |||
| See accompanying notes to consolidated financial statements. | ——— | |||
| CONTINENTAL EXCHANGE SOLUTIONS, INC. AND SUBSIDIARIES | Year | Consolidated Statement of Changes in Stockholder's Equity ended December 31, 2020 |
||
| Common Stock |
Additional paid-in Capital |
Retained earnings |
Total | |
| Balance at December 31, 2019 | \$ 376,000 | \$ 207,052,999 | 95,571,765 | 303,000,764 |
| Share-based compensation expense | 2,871,704 | 2,871,704 | ||
| Dividend payment | (621,082) | (621,082) | ||
| Net income | 45,739,362 | 45,739,362 | ||
| \$ 376,000 | § 209,924,703 | 140,690,045 | 350,990,748 | |
2 कंपनी समाचार

संक्षेप में
पूनावाला मैग्मा फिनकॉर्प के चेयरमैन नियुक्त
मैग्मा फिनकॉर्प के निदेशक मंडल ने सोमवार को अदार पूनावाला को बतौर चेयरमैन और अभय भुटडा को प्रबंध निदेशक के रूप में नियुक्त किया है। वर्तमान में आईसीआईसीआई बैंक के अनुभवी बैंकर विजय देशवाल जुलाई से मैग्मा फिनकॉर्प के सीईओ के रूप में पदभार संभालेंगे। वह पुनवाला ग्रुप के वित्तीय सेवा कारोबार के ग्रुप सीईओ भी होंगे। देशवाल आईसीआईसीआई र्बैंक में कारोबारी प्रमुख हैं। बीएस
रेमंड ने साहनी को सीईओ नियुक्त किया
रेमंड लिमिटेड ने सोमवार को कहा कि उसने हरमोहन साहनी को अपने रियल्टी कारोबार का मुख्य कार्याधिकारी (सीईओ) नियुक्त किया है। कंपनी ने एक बयान में कहा कि रेमंड लिमिटेड ने अपने रियल्टी व्यवसाय के मुख्य कार्याधिकारी के रूप में हरमोहन साहनी को नियुक्त करने के साथ अपनी कार्यकारी टीम को मजबत किया। हरमोहन हाल में ईसीएल फाइनेंस लिमिटेड (एडलवाइस समह) के रियल एस्टेट व्यवसाय के सीओओ थे और उनके पास इस क्षेत्र का काफी अधिक अनुभव है। भाषा
क्रिप्टो पर आरबीआई का स्पष्टीकरण
क्रिप्टोकरेंसी सेवा से इनकार पर आरबीआई सर्कुलर का हवाला न दें बैंक
अनुप रॉय मुंबई, 31 मई
·रतीय रिजर्व बैंक ने सोमवार को स्पष्ट किया कि क्रिप्टोकरेंसी पर ग्राहकों को पेशकश न करने के मामले में बैंक आरबीआई के सर्कलर का हवाला नहीं दे सकते, लेकिन उन्हें स्थानीय नियमों पर निश्चित तौर पर चाहिए, डालनी त्तो नजर अपवर्जनात्मक हैं।
केंद्रीय बैंक ने 6 अप्रैल, 2018 के सर्कलर में बैंकों को क्रिप्टोकरेंसी का लेनदेन या ग्राहकों को इस संबंध में सेवाएं देने से रोक दिया था। इस सर्कुलर को सर्वोच्च न्यायालय में चुनौती दी गई, जिसने 4 मार्च, 2020 को इस नियम को दरकिनार कर दिया। हालांकि आरबीआई ने कहा कि बैंक क्रिप्टोकरेंसी की सेवा बैंक क्यों नहीं दे रहे हैं, उसे उचित ठहराने के लिए वह आरबीआई के सर्कुलर का हवाला देना जारी रख सकते हैं।
आरबीआई ने अपनी वेबसाइट पर दिए स्पष्टीकरण में कहा है, सम्माननीय सर्वोच्च न्यायालय के आदेश के मुताबिक

सर्कलर न्यायालय के आदेश की तारीख से वैध नहीं है, ऐसे में अब इसका हवाला नहीं दिया जा सकता है।
हालांकि केंद्रीय बैंक ने बैंकों को सतर्क किया है कि वे केवाईसी. धनशोधन निरोधक, आतंकी गतिविधियों के लिए वित्त पोषण आदि से जुड़े नियमों के मुताबिक ग्राहकों की जांच परख की प्रक्रिया जारी रखे। साथ ही वह विदेशी प्रेषण के मामले में विदेशी एक्सचेंज मैनेजमेंट ऐक्ट से जुड़े प्रावधान के मुताबिक अनुपालन सनिश्चित करे।
अनिवार्य रूप से इसका मतलब यह है कि बैंक ग्राहकों को सेवाओं की यह पेशकश कर सकते हैं, लेकिन उसे ऐसा ■ ऐसी सेवा देने से पहले बैंकों को हालांकि स्थानीय कानून पर नजर डालनी चाहिए ■ बैंक ग्राहकों को
सेवाओं की पेशकश कर सकते हैं, लेकिन उन्हें ऐसा करने से पहले काफी सावधानी बरतनी होगी
करने से पहले काफी सावधानी बरतनी होगी, जिसमें यह भी सुनिश्चित करना शामिल है कि फंड का इस्तेमाल धनशोधन या आतंकी गतिविधियों की फंडिंग के लिए नहीं किया गया। चूंकि क्रिप्टोकरेंसी को केंद्रीय बैंक का समर्थन नहीं है और इसकी प्रकृति विकेंद्रित है, ऐसे में इसके अंतिम इस्तेमाल का पता लगाना मुश्किल होगा।
एक वरिष्ठ बैंकर के मुताबिक, वह यथास्थिति बनाए हुए हैं, जब तक कि कछ क्रिप्टोकरेंसी एक्सचेंज घोषित कर दे कि वे अंतिम इस्तेमाल की जांच की जवाबदेही लेंगे, जो शायद मुमकिन नहीं है। विगत में क्रिप्टोकरेंसी काफी
चढा है और ऐसी कई करेंसी है जिसकी टेडिंग वैश्विक बाजारों में होती है। क्रिप्टोकरेंसी के एक्सचेंज भी निवेश के विकल्प के तौर पर करेंसी के एक हिस्से की पेशकश करते हैं क्योंकि इनकी कीमतें काफी ज्यादा हैं।
सर्वोच्च न्यायालय के फैसले के बाद सेवाओं पर लगी रोक हटी. लेकिन केंद्रीय बैंक क्रिप्टोकरेंसी से दूरी बनाए हुए है। विगत में केंद्रीय बैंक स्पष्ट कर चुका है, चूंकि यह करेंसी केंद्रीय बैंक समर्थित नहीं है, ऐसे में वह कोई जवाबदेही नहीं लेगा, अगर लेनदेन में किसी तरह की गड़बड़ी होती है या फिर धोखाधडी होती है।
मार्च में आरबीआई गवर्नर शक्तिकांत दास ने कहा था कि केंद्रीय बैंक को क्रिप्टोकरेंसी को लेकर चिंता है और इस बारे में सरकार को सूचित कर दिया गया है। दास ने कहा था. केंद्रीय बैंक की डिजिटल करेंसी एक चीज है। बाजार में जिस क्रिप्टोकरेंसी की ट्रेडिंग होती है, वह दूसरी चीज है। आरबीआई व सरकार वित्तीय स्थायित्व को लेकर प्रतिबद्ध है। हमने क्रिप्टो को लेकर चिंता सामने रख दी है। साथ ही सरकार को भी इस बारे में बता दिया है।
पेटीएम इक्विटी से जुटाएगी 1.5 अरब डॉलर
मुंबई |1 जून 2021 मंगलवार विज़नेस स्टैंडर्ड
नेहा अलावधी नई दिल्ली, 31 मई
पेटीएम
दौरान फोनपे ने 427 करोड रुपये और गुगल पे ने 3.8 करोड रुपये का राजस्व दर्ज किया।
आरंभिक भारतीय प्रतिभूति एवं विनिमय अपने सार्वजनिक निर्गम (आईपीओ) आयोग के अनुसार, क्यूआईपी कोई म्युचुअल फंड, वेंचर के साथ पूंजी बाजार में उतरने के लिए जोरशोर से तैयारी कर रही कैपिटल फंड, वैकल्पिक निवेश फंड और बोर्ड में पंजीकृत विदेशी है। कंपनी का आईपीओ नवंबर में आने की उम्मीद है। इस उद्यम पंजी निवेशक, कंपनी मामले से अवगत एक व्यक्ति ने अधिनियम 1956 की धारा 4ए में कहा कि पेटीएम अपने प्राथमिक परिभाषित सार्वजनिक वित्तीय शेयरों की बिक्री से करीब 1.5 अरब डॉलर जुटाएगी। उस व्यक्ति के अनसार.
पेटीएम पात्र संस्थागत खरीदारों और खदरा निवेशकों को शेयरों की पेशकश करेगी। सूत्रों के अनुसार, कंपनी अपने आईपीओ के लिए ड़ाफ्ट रेड हेरिंग प्रॉस्पेक्टस (डीआरएचपी) यानी मसौदा पत्र जुलाई तक बाजार नियामक सेबी के पास जमा कराने की तैयारी कर रही है।
पेटीएम अपने दो प्रमुख प्रतिस्पर्धियों फोनपे और गगल पे से आगे है। वित्त वर्ष 2020 में पेटीएम ने 3,406 करोड़ रुपये का संस्थान, अनुसूचित वाणिज्यिक बैंक, बहुपक्षीय एवं द्विपक्षीय विकास वित्तीय संस्थान, राज्य औद्योगिक विकास निगम, भारतीय बीमा नियामक एवं प्राधिकरण में पंजीकृत बीमा कंपनी आदि हो सकते हैं। पेटीएम 3 अरब डॉलर यानी करीब 22,000 करोड रुपये जुटाने के उद्देश्य से इसी साल जल्द से जल्द पूंजी बाजार में दस्तक देने के लिए तैयार है।
डिजिटल भगतान सेवा प्रदाता यदि सबकुछ सफल रहा तो कंपनी का आईपीओ कोल इंडिया के बाद सबसे बड़ा आईपीओ होगा। कोल इंडिया ने 2010 में आईपीओ के जरिये राजस्व दर्ज किया जबकि इस 15,475 करोड़ रुपये जुटाए थे।
अनंत नारायणन ने शुरू किया नया उद्यम ■ फार्मईजी-मेडलाइफ सौदे से
- दमदार तरीके से बाहर हुए थे नारायणन
- मेन्सा की नजर ई-कॉमर्स उद्योग के लिए प्रौद्योगिकी आधारित 'हाउस ऑफ ब्रांड्स' सृजित करने पर
- मेन्सा ने ए श्रेणी के वित्त पोषण के तहत ऐक्सेल, कुणाल शाह, मुकेश बंसल और टाइगर ग्लोबल के स्कॉट श्लीफर से जुटाए करीब 5 करोड़ डॉलर
इसी महीने फार्मईजी ने कहा था कि उसने एक गुप्त सौदे के तहत मेडलाइफ का अधिग्रहण कर लिया है। इस सौदे के बाद फार्मईजी घरेलू ऑनलाइन फार्मेसी क्षेत्र की सबसे बडी कंपनी बन गई है। एकीकृत कंपनी
उत्तर प्रदेश सहकारी चीनी मिल्स संघ लिमिटेड
-ए. राणा प्रताप मार्ग, लखनऊ–226001 Tel No. (0522) 2628310, 228312 SHORT TERM TENDER NOTICE
athers/Authorised dealers (as per details given in tender documents) for supply of Stalnless Stee tubes. Brass Tube V.F.D. A.M.C. of Website. A.M.C. of computer hardware & Dedicate clou waves, careers ruse vir. y, Animoto to research and the electron of U.P.. The e-tender documents with
server to various Co-operative Sugar Factories & Federation of U.P.. The e-tender documents with
detailed specifications http://etender.up.nlc.in & federation website www.upsugarfed.org time to time. The Managin Nicolar Federation reserves the right to cancel any or all bids/annul e-bidding
assigning any reason to & decision of Federation will be final & binding. (BIMAL KUMAR DUBEY

निविदा संदर्भ: एचक्यूएमएम/7002-31/100000048/बेन्टोनाइट/295 विनांक :01.06.2021
निविदा कागजात में दिए गए विवरण के अनुसार एनएमडीसी लिमिटेड, पेलेट प्लांट, रंजिलपुरा, दोनीमलाई,
बेल्लुरी जिला, कर्नाटक को 5000 एमटी बेन्टोनाइट की
| विवरण | मात्रा (एमटी) |
निविदा कागजात की प्रदर्शनी एवं बिक्री |
प्रस्ताव जमा देने की अंतिम तिथि और समय |
मिविदा शुल्क रु. मैं |
|---|---|---|---|---|
| 5000 एमटी बेन्टोनाइट की आपर्ति, परिवहन, लदान एवं खाली किया जाना |
5000 | 01.06.2021 29.06.2021 |
29.06.2021 दोपहर 02.30 बजे तक। (आईएसटी) |
₹.5.900 जीएसटी समेत |
| निविदाओं की विस्तृत जानकारी ई-प्रोक्योर्सेट खंड के अधीन हमारी वेबसाइट :www.nmdc.co.in; www.eprocure.gov.in और एमएसटीसी लि. की वेबसाइट www.mstcecommerce. com/eprochome/nmdc से प्राप्त की जा सकती है। उक्त निविदा सूचना के संबंध में कोई भी संशोधनी केवल हमारी वेबसाइट www.nmdc.co.in और www.mstcecommerce.com/ eprochome/nmdc पर अपलोड की जाएगी एवं प्रकाशित नहीं की जाएगी। प्रत्याशित बोलीदाता संशोधनी, यदि कोई है, के बारे में जानने के लिए समय–समय पर एनएमडीसी की उक्त वेबसाइट देखें। |
मख्य महाप्रबंधक (सामग्री) |
सीआईआई के अध्यक्ष बने नरेंद्रन कहा गया है कि उन्होंने कई वर्षों
एजेंसियां नई दिल्ली, 31 मई उद्योग संगठन भारतीय उद्योग
हैं। वह 2016-17 के दौरान परिसंघ (सीआईआई) ने आज सीआईआई पूर्वी क्षेत्र के अध्यक्ष कहा कि उसने टाटा स्टील थे। वह सीआईआई झारखंड के लिमिटेड के सीईओ एवं प्रबंध अध्यक्ष होने के अलावा कई राष्ट्रीय निदेशक टीवी नरेंद्रन को 2021-समितियों का नेतृत्व भी कर चुके 22 के लिए अपना नया अध्यक्ष हैं। इसके अलावा बजाज फिनसर्व चुना है। नरेंद्रन ने कोटक महिंद्रा लिमिटेड के अध्यक्ष एवं प्रबंध बैंक लिमिटेड के प्रबंध निदेशक निदेशक संजीव बजाज को 2021 एवं मुख्य कार्याधिकारी उदय के लिए चैंबर का मनोनीत-अध्यक्ष कोटक से पदभार ग्रहण किया। बनाया गया है। जबकि हीरो मोटोकॉर्प लिमिटेड के अध्यक्ष एवं एक बयान के अनुसार, नरेंद्रन ने 2021-22 के लिए मुख्य कार्याधिकारी पवन मुंजाल सीआईआई के अध्यक्ष के रूप में 2021-22 के लिए सीआईआई के
पदभार ग्रहण किया है। बयान में उपाध्यक्ष होंगे। पेट्रोलियम भंडार का अगला
से राज्य, क्षेत्रीय और राष्ट्रीय स्तर पीरजादा अबरार पर सीआईआई के साथ जुड़े रहे बेंगलूरु, 31 मई
फार्मईजी-मेडलाइफ सौदे के जरिये दमदार तरीके से निकलने के बाद अनंत नारायणन ने एक नए उद्यम मेन्सा ब्रांड्स को लॉन्च किया है। इसकी नजर ई-कॉमर्स उद्योग के लिए प्रौद्योगिकी आधारित 'हाउस ऑफ ब्रांड्स' सजित करने पर है।
नई फर्म ने ए श्रेणी का वित्त पोषण दौर भी पुरा कर लिया है और इसके तहत उसने करीब 5 करोड डॉलर जुटाए हैं। इस दौर में शिरकत करने वाले निवेशकों में ऐक्सेल पार्टनर्स. फाल्कन एज कैपिटल, नॉरवेस्ट वेंचर पार्टनर्स के अलावा ऐंजल निवेशकों में कृणाल शाह, मुकेश बंसल, डीएसटी ग्लोबल के राहुल मेहता और टाइगर ग्लोबल के स्कॉट श्लीफर शामिल रहे। इसके अलावा अल्टेरिया कैपिटल और इनोवेन कैपिटल से ऋण वित्तपोषण की सुविधाएं भी सुनिश्चित की गई हैं।
मेन्सा की नजर डिजिटल-फर्स्ट ब्रांडों में

साथ साझेदारी करने और उनके ब्रांडों को वैश्विक स्तर पर पहुंचाने में मदद करने को लेकर काफी उत्साहित हूं। मिंत्रा और मेडलाइफ में इसे पहली बार देखने के बाद हम जानते हैं कि किसी ब्रांड को डिजिटल तरीके

| कॉर्पोरेट कार्यालय, 254—260, अब्वै षण्मुगम सालै, रायपेष्टा, चेन्नै— 600 014 इंडियन बैंक ASS Indian Bank ;फोन : 044.28134076य ई—मेल : [email protected] ▲ इलाहाबाद ALLAHABAD नोटिस इंडियन बैंक के शेयरधारकों के सूचनार्थ बैंककारी कंपनी की धारा 10 बी (उपक्रमों का अर्जन एवं अंतरण) अधिनियम 1970, (यथा संशोधित) के अनुसार अदत्त लाभांश खाते में अंतरण की तिथि से सात साल की अवधि तक बैंक के लाभांश खातों में बकाया शेष अदत्त राशि को कंपनी |
चरण ।सतबर तक त्वेष मिश्र नई दिल्ली, 31 मई भारत के रणनीतिक पेट्रोलियम भंडार कार्यक्रम का अगला चरण आशय पत्र (आरएएफ) जारी करने के साथ ही जल्द शुरू होने |
तीन जगहों- विशाखापत्तनम, मंगलूरु और पदूर- पर बनाए गए विशाखापत्तनम के भंडारण की क्षमता 13.3 लाख टन (97.7 लाख बैरल) कच्चे तेल की है जबकि मंगलूरु की क्षमता 15 |
यह कंपनी विभिन्न श्रेणियों में 50 से अधिक होम, उद्यान, परिधान, पर्सनल केयर एवं सौंदर्य शामिल हैं। कंपनी इन ब्रांडों को बाजारों में भी ले जाएगी। |
साझेदारों एवं निर्वेश करना और उन्हें तेजों से आगे बढ़ाना है। अगले तीन वर्षों के दौरान ब्रांडों का अधिग्रहण करेगी। इन श्रेणियों में अमेरिका एवं पश्चिम एशिया जैसे वैश्विक मेन्सा ब्रांड्स के संस्थापक एवं सीईओ |
पड़ता है।' | से वैश्विक विस्तार देने में कितना प्रयास करना नारायणन वॉलमार्ट के स्वामित्व वाले ऑनलाइन फैशन रिटेलर मिंत्रा के सीईओ और मैकिंजी ऐंड कंपनी के सीनियर पार्टनर के तौर पर काम कर चुके हैं। हाल में वह मेडलाइफ के सह–संस्थापक एवं सीईओ थे जिसका फार्मईजी में सफलतापूर्वक विलय हो गया है। इस विलय के साथ ही देश में सबसे बडी ई- |
हर महोने करीब 20 लाख ग्राहको को अपनी सेवाएं उपलब्ध करा रही है। सूत्रों के अनुसार इस सौदे में मेडलाइफ के शेयरधारकों की हिस्सेदारी का मूल्य करीब 25 करोड़ रुपये आंकी गई है। मेन्सा का प्राचीन ग्रीक भाषा में अर्थ है नक्षत्र। इसकी टीम को भारतीय एवं वैश्विक ई–कॉमर्स बाजार में कुल मिलाकर 60 वर्षों से अधिक का अनुभव प्राप्त है। मेन्सा ने कहा है |
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| अधिनियम, 1956 / 2013 की धारा 205सी / 125 के अंतर्गत निर्मित निवेशक शिक्षा एवं संरक्षण कोष (आईईपीएफ़) खाते में अंतरित किया जाएगा। तदनुसार, इंडियन बैंक द्वारा घोषित वर्ष 2013–14 (अंतिम) के लिए अदावी / अदत्त लाभांश सितंबर 2021 के दौरान आईईपीएफ को अंतरित करना देय है। अदत्त लाभांश (इंडियन बैंक और पूर्ववर्ती इलाहाबाद बैंक) के विवरण बैंक की वेबसाइट www.indianbank.in पर उपलब्ध है। इंडियन बैंक के शेयरधारक, जिन्होंने वित्त वर्ष 2013-14 (अंतिम) के अपने लाभांश वारंट को नहीं भुनाया है, उनसे अनुरोध है कि वे रद्द चेक लीफ के साथ विधिवत हस्ताक्षरित लिखित दावा कंपनी सचिव, इंडियन बैंक, कॉर्पोरेट कार्यालय, चेन्नै को |
जा रहा है। इस चरण में 65 लाख टन भंडार विकसित करने के लिए करीब 14,000 करोड रुपये के निवेश की जरूरत होगी। इंडिया स्ट्रैटेजिक पेट्रोलियम रिजर्व्स (आईएसपीआरएल) के प्रबंध निदेशक एवं मुख्य कार्याधिकारी एचपीएस आहूजा |
लाख टन (1.1 करोड बैरल) और पदूर में स्थापित भंडार की क्षमता 25 लाख टन (1.837 करोड बैरल) की है। इन तीनों परियोजनाओं की कुल लागत 4,098.35 करोड़ रुपये आंकी गई है। ये भंडार भारत की कच्चे तेल की मांग के लगभग 9 से 10 दिनों |
ब्रांडों को विस्तार देने में काफी अवसर मौजद | अनंत नारायणन ने कहा, 'भारत से डिजिटल है।' उन्होंने कहा, 'मैं दमदार संस्थापकों के |
काम करती है। | स्वास्थ्य कंपनी का सृजन हुआ जो फार्मेसी, डाग्नोस्टिक्स और ई-कंसल्टेशन जैसे क्षेत्रों में |
कि वह ग्रोथ मार्केटिंग, परिचालन में सुधार और कार्यशील पंजी प्रबंधन के जरिये ब्रांडों के व्यापक विस्तार के लिए तत्पर है। नुकसान से आहत मॉल को खुलने की चाहत |
| ईमेल के माध्यम से ई-मेल आईडी [email protected] या बैंक के रजिस्ट्रार और शेयर ट्रांसफर एजेंट (आरटीए) कैमियो कॉर्पोरेट सर्विसेज लिमिटेड को [email protected] पर 16 अगस्त 2021 तक भेजें। बैंक के शेयरधारकों को अपने फोलियो नंबर / डीपी आईडी एवं क्लाइंट आईडी का उल्लेख अवश्य करना होगा। कृपया ध्यान दें कि उक्त अदावी / अदत्त लाभांश राशि के निवेशक शिक्षा एवं संरक्षण कोष में हस्तांतरण के बाद, बैंक शेयरधारकों / दावेदारों से सीधे बैंक / आरटीए में प्राप्त किसी भी दावे पर विचार नहीं करेगा। दीना नाथ कुमार स्थान : चेन्नै सहायक महाप्रबंधक एवं कंपनी सचिव दिनांक : 31 मई, 2021 |
के अनुसार, आनपीएफ सितंबर 2021 में जाारी किया जाएगा इस बार सार्वजनिक निजी भागीदारी (पीपीपी) मॉडल पर ध्यान केंद्रित किया जाएगा हालांकि अप्रत्याशित परिस्थितियों में भंडारित कच्चे तेल का सबसे पहले इस्तेमाल करने का अधिकार केंद्र सरकार के पास होगा। पहले चरण में 53.3 लाख |
तक पूरा कर सकते हैं। आहूजा ने बिजनेस स्टैंडर्ड से बातचीत में इन भंडारों की मौजूदा स्थिति के बारे में कहा, 'आईएसपीआरएल के भंडार फिलहाल पूरी क्षमता पर हैं। इसका मतलब यह है कि देश में मौसम संबंधी प्रतिकूल प्ररिस्थितियों से निपटने के लिए इन तीनों सामरिक भंडारों में करीब 3.9 करोड बैरल कच्चे तेल का |
विवेट सुजन पिंटो मुंबई, 31 मई मुंबई के कुछ शीर्ष मॉल का कहना है कि जून में वित्तीय राजधानी में दुकानों के समय में बढ़ोतरी के साथ ही संगठित शॉपिंग स्पेस को भी फिर से खोलने की अनुमति दी जानी चाहिए। महाराष्ट्र के अनलॉक |
वाले जिलों में आवश्यक वस्तुओं की बिक्री करने वाली दुकानों को लंबे समय तक खोलने की अनुमति दी जाएगी। मुंबई भी इस सूची में शामिल है। गैर- आवश्यक वस्तुओं की डिलिवरी को अनुमति 1 जून से होगी। मॉल मालिकों का तर्क है कि फॉर्मल स्पेसेज को बाहर रखना सही तरीका नहीं हो सकता है। |
WWW W TXT कार्याधिकारी मुकेश कुमार |
दौरान इस क्षेत्र को करीब 3,000 करोड रुपये का घाटा हुआ है। इसलिए हमें इस दौर से उबरने के लिए राज्य सरकार के साथ-साथ बैंकों से भी मदद की दरकार होगी। ऐसा नहीं है कि केवल मॉल ही राहत उपायों की मांग कर रहे हैं। रिटेलर्स एसोसिएशन ऑफ इंडिया (आरएआई) ने भी ने |
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| बिजनेस स्टैंडर्ड मुंबई संस्करण बिज़नेस स्टैंडर्ड प्राइवेट लिमिटेड के लिए प्रकाशक एवं मुद्रक संगीता खेओरा द्वारा मे. दांगट मीडिया प्राइवेट लिमिटेड, 22, दीघा एमआईडीसी, टीटीसी इंडस्ट्रियल एरिया, विष्णू नगर, दीघा, नवी मुंबई-400708 से मुद्रित एवं एच/4 एवं आई/3, बिल्डिंग एच, पैरागन सेंटर, बिड़ला सेंचुरियन के सामने, पी बी मार्ग, वर्ली, मुंबई-400013 से प्रकाशित संपादकः कैलाश नौटियाल आरएनआई न० WBHIN/2008/24333 पाठक संपादक को [email protected] पर संदेश भेज सकते हैं। टेलीफोन - 033-22101314/1022/1600 फैक्स- 033-22101599 सबस्क्रिप्शन और सर्कुलेशन के लिए कृपया संपर्क करें |
टन सामरिक कच्चे तेल के भंडार 新 HATHI CEMENT |
भंडार किया जा रहा है।' SAURASHTRA CEMENT LIMITED (CIN: L26941GJ1956PLC000840) Registered Office : Near Railway Station, Ranavav 360 560 (Gujarat) Phone: 02801-234200 Fax: 02801-234376 Email : [email protected] Website: www.mehtagroup.com EXTRACT OF AUDITED FINANCIAL RESULTS FOR THE QUARTER AND THE YEAR ENDED MARCH 31, 2021 |
कार्यक्रम के तहत कम संक्रमण Standalone |
Consolidated | इनफिनिटी मॉल के मुख्य | कहा, 'कोविड-19 की पहली लहर के दौरान मॉल को (मुंबई में) काफी बाद में खोला गया जबकि गैर-आवश्यक खुदरा दुकानों को पहले दौर की ढील में ही खोलने की अनुमति दी गई थी। अब ऐसा नहीं होना चाहिए क्योंकि मॉल खरीदारी के लिए सुरक्षित जगह हैं।' |
अनुपालन आवश्यकताओं, ब्याज में राहत और मूलधन एवं ब्याज भुगतान के लिए छह महीने की मोहलत मांगी है ताकि इस संकट से उबरने में मदद मिल सके। उद्योग के आकलन से पता चलता है कि अप्रैल से मई के दौरान खुदरा विक्रेताओं के राजस्व को करीब 25,000 करोड़ |
| सुश्री मानसी सिंह हेड कस्टमर रिलेशन्स बिज़नेस स्टैंडर्ड लिमिटेड, तीसरी और चौथी मंजिल, बिल्डिंग एच. पैरागन सेंटर, सेंचुरी मिल्स के सामने, पी बी मार्ग, वर्ली, मुंबई 400 013 ई मेल subs [email protected] या 57575 पर एसएमएस करें REACHBS डिसक्लेमर बिजनेस स्टैंडर्ड में प्रकाशित समाचार रिपोर्ट और फीचर लेखों के माध्यम से बाजारों, कॉर्पोरेट जगत और सरकार से जुड़ी घटनाओं की निष्पक्ष तस्वीर पेश करने का प्रयास किया जाता है। बिज़नेस स्टेंडर्ड के नियंत्रण एवं जानकारी से परे परिस्थितियों के कारण वास्तविक घटनाक्रम भिन्न हो सकते हैं। समाचार पत्र में प्रकाशित रिपोर्टों के आधार पर पाठकों द्वारा किए जाने वाले निवेश और लिए जाने वाले कारोबारी निर्णयों के लिए बिजनेस स्टैंडर्ड कोई जिम्मेदारी नहीं लेता है। पाठकों से स्वयं निर्णय लेने की अपेक्षा |
Particulars Total Income from Operations Profit from Operations before Exceptional Items & Tax Net Profit for the period after Exceptional Items and before Tax Net Profit for the period after Tax Total Comprehensive Income after Tax Equity Share Capital Other Equity |
Quarter ended Unaudited Audited 4,574.11 4,574.11 3,064.35 3,166.88 2,067.76 3,058.65 2,286.36 6,982.15 6,982.15 |
Year ended 31.03.2021 31.12.2020 31.03.2020 31.03.2021 31.03.2020 31.03.2021 31.12.2020 31.03.2020 31.03.2021 31.03.2020 Audited Audited Audited र्रेin Lakhs रोin Lakhs रोin Lakhs रोin Lakhs रोin Lakhs रोin Lakhs रोin Lakhs रोin Lakhs रोin Lakhs 24,727.92 20,925.70 17,977.68 68,601.29 61,659.30 24,728.21 20,925.66 17,977.57 68,601.58 61,658.98 3,064.35 2,695.50 10,255.82 9,344.31 1,095.50 10,255.82 7,744.31 5,660.98 664.67 7,238.16 596.11 7,625.54 5,429.84 6,952.15 6,982.15 6,952.15 45,428.51 38,259.76 |
Quarter ended Audited Inaudited Audited 4,572.07 4,572.07 3,061.99 3,164.84 2,065.40 3,056.61 2,284.00 593.12 6,982.15 6,982.15 6,952.15 |
Year ended Audited Audited 3,061.99 2,692.51 10,246.84 9,333.91 1,092.51 10,246.84 7,733.91 661.68 7,229.18 5,650.58 7,616.56 5,419.44 6,982.15 6,952.15 45,298.10 38,138.33 |
शॉपिंग सेंटर्स एसोसिएशन ऑफ इंडिया (एससीएआई) के चेयरमैन कुमार ने राज्य सरकार |
रुपये का झटका लगा। आरएआई के एक हालिया अध्ययन में कहा गया है कि अप्रैल में खुदरा बिक्री को ज्ञापन देकर मॉल को नए सिरे कोविड पूर्व स्तर यानी अप्रैल से खोलने के लिए जल्द से जल्द 2019 के मुकाबले 49 फीसदी अनुमति देने आग्रह किया है की गिरावट आई। मई कहीं ताकि इस क्षेत्र में स्थिति सामान्य अधिक खराब रहने की आशंका हो सके। संगठन ने संपत्ति कर, है क्योंकि कोविड के प्रकोप के बिजली शुल्क और उत्पाद शुल्क मद्देनजर देश भर में नए सिरे से जैसे वैधानिक भुगतान में थोड़े लॉकडाउन संबंधी पाबंदियां |
| की जाती है । बिजनेस स्टैंडर्ड के सभी विज्ञापन सद्भाव में स्वीकार किए जाते हैं । इनके साथ बिजनेस स्टैंडर्ड न तो जुड़ा हुआ है और न ही उनका समर्थन करता है। विज्ञापनों से संबंधित किसी भी प्रकार का दावाँ संबंधित विज्ञापनदाता से ही किया जाना चाहिए। |
Basic Earnings per Share of ₹ 10 each (not annualised) - In ₹ Diluted Earnings per Share of ₹ 10 each (not annualised) - In ₹ |
2.97 4.54 4.48 2.94 |
10.39 0.96 8.15 0.95 10.27 8.11 |
4.53 2.97 4.48 2.93 |
8 14 0.95 10.38 8.09 0.95 10.26 |
समय के लिए छूट दिए जाने की लगाई गईं। |
राज्यालय में गांध का संसद बना सामान का कारण मुख्य करने का सामना जाता है।
अग्र विजनेस स्टेंडर्ड प्रा0 लि0 का सर्वाधिकार सुरक्षित है। बिजनेस स्टेंडर्ड प्रा0 लि0 से
लिखित अनुमति लिए बगैर समाचार पत्र में प्रकाशित किसी भी सामू Note : The above is an extract of the detailed format of Quarterly Financial Results filed with the Stock Exchange under Regulation 33 of the SEBI (Listing and Other Disclosure Requirements) Regulations, 2015. The full format of the Quarterly Financial Results are available on the Stock Exchange website तरह प्रकाशॅन या प्रसारण निषिद्ध है। किसी भी व्यक्ति या वैधानिक निकाय द्वारा तरह का निषिद्ध एवं अनधिकृत कार्य करने पर दीवानी और फौजदारी कार्यवाही शुरु www.bseindia.com and company's website scl.mehtagroup.com
Place : Mumba
Dated : MAY 29, 2021
भी मांग की है। By the Order of the Board. For Saurashtra Cement Limited की दूसरी लहर के दौरान अप्रैल– Sd/-(M.S.Gilotra) Managing Director
इन चुनौतियों को ध्यान में कुमार ने कहा, 'कोविड-19 रखते हुए मॉल और खुदरा विक्रेता वित्त वर्ष 2022 के लिए मई में राजस्व का काफी नुकसान रेंट एग्रीमेंट पर नए सिरे से हुआ है। दो महीने की अवधि के बातचीत कर रहे हैं।
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મૃતકની ઓળખ થઈ હતી. મૃતક ુહ્રેઝે કારે કે કે જે હતા કે છે
મહિલા ગઢુલા ગામની
ભાવનાબોન જીવનભાઈ ભીલ ભાવનાબન જીવનગાઇ સાથે
(ઉ.વ.૩૭) અને યુવાન
રેલીયા-ગઢુલા ગામનો
પામાના . . . . . . . . . . . . . . . . . . . ખૂલવવા પામ્યું હતું. મૃતક બન્ને
ઘોઘાના સાણોદર ગામે સાથે ખેતીકામ કરતા હોવાનં અને બન્ને ખતાકામ કરતા હાપાનુ અને બન્ન
ગત તા.૧૮/૪/૨૧થી ગુમ થઈ
ગયા હતા અને બન્ને વચ્ચે
પ્રેમસંબંધો હોવાનું સૂત્રો દ્વારા
જાણવા મળેલ છે. આ અંગે ....
સોનગઢ પોલીસ વધુ તપાસ
ચલાવી રહી છે. (તસવીરઃ
વિષુલ હિરાણી)

પાસે નાળા પાસેથી સવારે એક મહિલા અને એક પુરૂષના મૃતદેહ પડવા હોવાની જાણ થતાં મોનગઢ પોલીસનો કાકલો દોડી ગયો હતો અને તપાસ હાથ ધરી
પહેલા ગુમ થયા
હોવાનું ખૂલ્યું
નગ્ન છે.
પ્રાપ્ત વિગતો મુજબ,
ભાવનગર જિલ્લાના સિહોર
મળેલ છે.
તાલુકાના સરવેડી ગામની સીમ
હતી. મૃતદેહથી થોડે દૂર એક
ુ…. કેટ્ડિંગ ….
બાઈક પણ મળી આવ્યું હતું.
મૃતદેહ કોહવાયેલી સ્થિતી હોવાનું પોલીસની પ્રાથમિક
તપાસમાં જાણવા મળેલ હતું.
દરમિયાન આજે રાત્રે

(1) DD Free DTH
(2) Dish TV (Channel No. 2100)
(3) Jio Tv Application
$\blacksquare$ dialy $\blacksquare$
સવારના 06-30 થી 08-00 સુધી 1-6-2021 થી 21-6-2021 સુધી
.
ઉપરાંત આ જીવંત કાર્યક્રમ નીચે મુજબના પ્લેટફોર્મ ઉપર પર નિહાળો.
∎ સમય
(1) Youtube Link - https://youtube.com/c/YogsevakSh
(2) Facebook Link - https://www.facebook.com/Yogse (3)
(3) Facebook Link - https://www.facebook.com/Guj
.
અને તો તારા અનેક જ તાત્રા ઓગામમાં તાત્રણે ગુજર
- નીતિનભાઈ પટેલ (નાયબ મુખ્યમંત્રીશ્રી - ગુજરાત રાજ્ય)
સૌરાષ્ટ્ર સિમેન્ટ લિમિટેડ
永
...
डियार કૃપા, વિવેકાનંદનગર-૨, આશિષ પાન
Iમે, કોકારીયા મેદાંન રોડ, રાજકોટ-૩૬૦ ૦૦૨

HATHI

CIN :L26941GJ1956PLC000840 રજીસ્ટર્ડ ઓફીસ : રેલ્વે સ્ટેશન પાસે, રાણાવાવ - ૩૬૦૫૬૦ (ગુજરાત) - કોનઃ ૦૨૮૦૧-૨૩૪૨૦૦, કેકસ : ૦૨૮૦૧-૨૩૪૩૭૬ E-Mail: [email protected] - Website: www.mehtagroup.com
તા. ૩૧ માર્ચ ૨૦૨૧ ના રોજ પૂર્ણ થયેલા ત્રીમાસીક અને વાર્ષિક ઓડીટ કરેલ નાણાંકીય પરિણામો
| રટેન્ડએલોન | કોન્સોલીકેટેડ | |||||||||
|---|---|---|---|---|---|---|---|---|---|---|
| ત્રણ માસના અંતે | વર્ષના અંતે | ત્રણ માસના અંતે | વર્ષના અંતે | |||||||
| વિગત | 31.03.2021 ઓકીટેડ |
31.12.2020 અન ઓડીટેડ |
31.03.2020 ઓકીટેડ |
31.03.2021 ઓડીટેડ |
31.03.2020 ઓડીટેડ |
31.03.2021 ઓડીટેડ |
31.12.2020 અન ઓડીટેડ |
31,03,2020 ઓડીટેડ |
31.03.2021 ઓડીટેડ |
31.03.2020 ઓડીટેડ |
| રૂા. લાખમાં | રૂા. લાખમાં | зі, сімні | зі. сігмчі | зі. сімні | зі. сігычі | зі, спичі | зі. агыні | зі. симні | રૂા. લાખમાં | |
| ઓપરેશન્સમાંથી ફુલ આવક | 28,020.62 | RO.CRU.00 | 9.0.600.96 | 96,909,86 | 91,94G.30 | 28.326.29 | RO, ERU. 99 | 10,600.40 | 96,909,46 | 59,946.GC |
| અપવાદરૂપ આઈટમ અને કર પહેલા કામગીરી માંથી નકો |
8,458.99 | 3,058.34 | 2,564.40 | 90,844.68 | C, 388, 39 | 8,492.09 | 3,059.66 | 2,562.41 | 10,289.68 | E,333.69 |
| અપવાદરૂપ આઈટમ પછી અને ટેકસ પહેલાના સમય ગાળાનો ચોખો નકો |
Y, 45Y, 99 | 3,098.34 | 1,064,40 | 90,244.62 | 9,988,39 | 8,402.00 | 3,091.00 | 1,062.49 | 10,889,68 | 9,933.69 |
| ચોખો નકો ટેકસ પછીના સમયગાળાનો |
3.199.44 | 9.059.99 | 998.99 | 9,836.99 | 4.990.66 | 3.998.08 | 2.094.80 | 999.56 | 9, 996, 96 | 4.940.46 |
| ટેકસ પછીની ફુલ વ્યાપક આવક | 3,046.94 | 2,265.39 | VCS.11 | 9.984.48 | 4,886.28 | 3.049.91 | 2, 22, 00 | 463.18 | 9.915.49 | 4,896.88 |
| ઇકવીટી શેર મડી | 9.668.94 | 9.668.14 | 9.648.14 | 9.668.94 | 9.648.94 | 9.668.94 | 9.668.94 | 9.642.94 | 9.668.94 | 9.648.94 |
| અન્ય ઇકવીટી | 84,882.49 | 34, 246.09 | 24,266.90 | 32, 132, 33 | ||||||
| રૂા. ૧૦ના એક એવા શેરની મુળભૂત આવક (વાર્ષિક નથી), રૂપિયામાં |
Y, YY | 9.69 | $0, \in S$ | 90,36 | 6.94 | x, y3 | 3.69 | 0,64 | 10.36 | 6.98 |
| 31. ૧૦ના એક એવા શેરની ડાયલુટેડ આવક (વાર્ષિક નથી). રૂપિયામાં |
Y,Y | R.EY | $0,$ CH | 90,89 | 6.99 | X, Y | R, C3 | 0.64 | 90.39 | C.06 |
| નોંધ : સેબી (લિસ્ટિંગ અને અધર ડિસ્કલોઝર રિકવાયરમેન્ટ) નિયમન-૨૦૧૫ અનુચ્છેદ ૩૩ મુજબ સ્ટોક એકસચેન્જ રજૂ કરાયેલા ડિટેઇલ નાણાંકીય પરિણામોની મુળ વિગતો દર્શાવતું ઉપરનું પત્રકની મુળ આ ત્રિમાસિક હિસાબોની સંપૂર્ણ લેવી. સ્ટોક |
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| એકસચેન્જની વેબસાઈટ www.bseindia.com અને કંપનીની વેબસાઈટ Scl.mehtagroup.com ઉપર જોઈ શકાય છે. સ્થળ : મુંબઈ तारीज : मे २૯, २०२१ |
સૌરાષ્ટ્ર સિમેન્ટ લી.ના બોર્ડના આદેશથી (એમ.એસ. ગીલોત્રા) મેનેઝંગ ડાયરેકટર |
હતા. ચરમાચ આરામાઆ અંગ્લા
મોબાઈલ, પાંચતોલા સોનાની
ચેઈન અને એક લાખની રોક્ડ
રકમની લૂંટ ચલાવી હોવાનું
ફરિયાદમાં જણાવાયું હતું.
જીવલેણ હુમલા બાદ દિપક
બઢીયાને ગંભીરઈજાઓ પહોંચતા જેટલા શખ્સોના ટોળાએ એ દલિત પરિવારના ઘરમાં ઘસીને દાસા મારવારના ગરમાં ચૂસારા
બંદુક સહિતના ઘાતક હથિયારો
સાથે જીવલેણ હુમલો કર્યો હતો,
તો ઘર અને કારમાં તોડફોડ નવા ચારદમા રહતા શાવરાજાસહ
ઉર્ફે લાલાભાઈ સુખભા જાડેજા,
રામદેવસિંહ ઉર્ફે ડકુ રણજીતસિંહ રામસ્પાસર ૩ફ ડ્યુ રણજીવાસર
જાડેજા, જશપાલસિંહ જાડેજા
ઉપરાંત અન્ય સાતથી આઠ કરીને લાખો રૂપિયાની ધાડ પાણી ગઢાવાન વસારે છે ગ્રેગ્સ વસવામાં
પ્રથમ સ્થાનીકે સારવાર આપ્યા
બાદ રાજકોટની હોસ્પિટલમાં હોવાની ઘટના સામે આવતા
ચકચાર મચી ગઈ છે. મોટી
ચીરઈમાં રહેતા દિપક વેલા બઢીયા વાર સળ કારવા હાત્ત્વદલમા
સારવાર માટે ખસેડાયો હતો.
હુમલાવરોમાંથી કેટલાક અજાણ્યા
ઈસમો સામે ગુનો નોંધાવ્યો
હતો. આરોપીઓએ તલવાર, .
આરોપીઓ સામે હત્યા સહિતના અને તેના ભાઈ કાના વેલા ..................................... ગુનાઓ નોંધાયેલા છે. તો બીજા કેટલાક આરોપીઓએ થોડા દિવસ નવભા જાડેજા.
તખુભા નવુભા જાડેજાા,
પ્રવીણસિંહનવુભા
જાડેજા, વિક્રમસિંહનવુભા અલગ બટીયાના ઘરે ધમી આવ્યા હતા
ણા: આરા માંઅરે પહેરાર,
બંદુક, છરી, ધારીયા, ધોકા,
લોખંડના પાઈપ સાથે ચાર અલગ
જ માહિતીના આધાર જ ત વખત
પોલીસે અકસ્માન મૃત્યુ અંગે નોંધ
કરી હતી. પરંતુ મૃતકની પત્ની
અંજનાબેન ને આ બાબતે શંકા
હોવાથી તેણે જામનગર ગ્રામ્યના
ડીવાયએસપી અને મેથ્રપર પોલીસ
ડા મેકરામાં આ માત્ર મનાના
સ્ટેશનમાંઓજી કરી અકસ્માત
અંગેની તપાસ કરવાની માંગણી
અંગેની તપાસ કરવાની માંગણી
કરી હતી.
મેઘપર પોલીસ દ્વારા મોટી
મેઘપર પોલીસ દ્વારા મોટી
સાગનાકાના સીસીટીલી કેમેગરનો
ચેકાસવામાં આવ્યા હતા. જે
ચકાસવામાં આવ્યા હતા. જે
અબિર શવારનો ડોશન અને
ગડના, નાગ તાલુના સાકા,
જગદીશસિંહ ઉર્ફે મુનાભાઈ
ગટરસિંહ વાઘેલા, સુરેશ વાલા
કોલી, બાવલા બીજલ કોલી, કાલા, બાવલા બાજલ કાલા,
કાના માલા કોલી, રાયધણ રામા
કોલી, વિજય રામા કોલી અને
નવી ચીરઈમાં રહેતા શીવરાજસિંહ
જાડેજા, જોગેશ કનભા સોઢા,
ગ્ગ્ગ્ચ્ઝ આપ્ત માળા અલાદાદવસ
પહેલા જ ઓક્સિજન પ્લાન્ટમાં
ફાયરીંગ કરીને હુમલો કર્યો હતો.
જૂની મોટી ચીરઈમાં બનેલી આ . .
કારમાંસવાર થઈને દિપક
જાડેજા, યુવરાજસિંહ રાજભા
ગઢાવાના ઘર વસા આવ્યા હતા. ગૂના માટા પારુઆ ગણવા આ પગલા
જાતિ વિષયક અપશબ્દો બોલીને ઘટનાને પગલે કાયદો વ્યવસ્થા રહી છે. જાડેજા, રામદેવસિંહ રઘુભા જાડેજા, ઈજાગ્રસ્તે અકસ્માતમાં મૃતક બાઈક ચલાવતો હોવાનું આપ્યું હતું નિવેદન
ચાર કારમાં આવેલા શખ્સો પાંચ તોલા સોનું, એક લાખ રોકડ, ત્રણ મોબાઇલ પણ લુંટી ગયાની રાવ
(પ્રતિવિધિ કારા) – મયુરક્ષિક ઉર્ફે ગોપાય તેખુભા દિપકભાઈ અને તેના ભાઈ પર . સામે સવાર્થો ઉઠ્યા છે. નાંધનીય
– ભાગ તાલુકાના જૂની મોટી – જોરત
હે સ્કલાઇ અને રાતા લોઇ વર
જીવલેણ હુમલો કરવામાં આવ્યો
હતો. ઘરમાં રહેલો તમામ સર
के एक अधिकारी को स्थान के प्राथम સામાન અને મોડામાં મોડાંસ કરાઇ
હતી. ઘરમાંથી આરોપીઓએ ત્રણ
ચટનાના ચાચલ જ
કપૂલાત આપી દીધી હતી કે બાઈક
પોતે જ ચલાવતો હતો. પરંતુ
અસ્માત દરમિયાન પાછળ એકેલા
મેહુલ તું મૃત્યુ થયાથી પોતાની પાસે
પાટી દર્શાવ્યા હતો આખરે આ
મારવે મેઘપર પોલીસે અંજનાબેન
મેહુલ ભાઈ ની ફરિયાદના આધારે
મેહુલ ભાઈ
(પ્રતિનિધિ દ્વારા) જામનગર તા ૩૧
જામનગર જિલ્લા ના કાલાવડ
સશસ ટોળાઓ સાથે જીવલેણ
્યાલાઓને અંજામ આપવામાં
આવી રહ્યો છે. ભચાઉમાં જાણે
કાયદો વ્યવસ્થાનું અસ્તીત્વ જ ન
......
હોય તે રીતે હિંસક હુમલાઓ બની
....
બુટલેગરો, લૂંટારૂઓ,
માથાભારે શખ્સો બેફામ બન્યા
હોય તેવું જણાઈ આવે છે. સામે
બાખીનો ખોફ ભચાઉ પંથકમાં
રહૃાો જ ન હોય તેવું ચિત્ર ઉપસી
્....
રહૃાું છે. પોલીસની ઢીલી નીતિ કે
આરોપીઓ ને અપાતા
.....................................
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ુ : : : : : : : : : : : : : : : : : : :
પગલા લેવાય તેવી લોક માંગ ઉઠી
રવર જીતુભાઈ સામે અકસ્માત
સુનિલ જીતુભાઈ સામે અકસ્માત
રાજેવા અંગે ગુનો નોંધ્યો છે.
ઉમેરો કરાયો છે. સમગ્ર મામલે
ઉમેરો કરાયો છે. સમગ્ર મામલે
૩નરા કરાવા છે. સમગ્ર મામલ
મેઘપરના પી.એસ.આઇ કે. આર.
સિસોદિયા વધુ તપાસ ચલાવી
. ભુપ્તાર . ગામ – –
મજૂરી કામ કરે છે. જેમાં મૂળ
બિહાર રાજ્યના મુજફ્ફરપુર નો
નાતાશરૂમાર નાગન્દ્રહારાય યાદવ
નામનો ૧૮ વર્ષનો શ્રમિક પણ
મજૂરી કામ કરે છે. જે ગઈકાલે
મસાલા બનાવવા ના મશીન પાસે
ઊભો રહીને કામ કરતો હતો, જે
દરમિયાન તેને એકાએકવીજ આંચકો
uisa
svai
नीतीशस्यार नागेन्दवाराय
નિકાવાની મસાલા કંપનીમાં
વિજ શોકથી શ્રમિકનું મોત
મશીન પાસે કામ કરતો હતો ત્યારે કાળ ભેટયો
રહૃાા છે.
જામનગર નજીકની અઠવાડીયા પહેલાની ઘટનામાં ઘાયલ જ ચલાવતો હતો ખાઇક વ્યાદપાસી વાહુલા માણવામાં
જીતુભાઈ તે કંજા થઈ હતી, જે તે
અકસ્માતના બનાવ અંગે જે તે
અકસ્માતના બનાવ અંગે જે તે
પાલીસને એવી માર્ટિની આપી
માનસુખભાઈ બાઇક ચાલવા
હતી, અને પોતે પાછળ બેઠો હતો.
જો માહિતીના આધારે જે તે વખતે
પોલીસે (પ્રતિનિધિ દ્વારા) જામનગર તા ૩૧
ભચાઉ તાલુકાના જૂની મોટી
ચીરઈમાં કુખ્યાત બુટલેગર તેમજ
હત્યા અને ફાયરીંગના કેસોમાં
સંડોવાયેલા આરોપીઓના સ્પ
તખભા
ે જામનગર-ખંભાળીયા
ધોરીમાર્ગપર મોટીખાવડી પાસે ધોરીમાર્ગ પર મોટી ખાવડી પાસે
અત્ર ર૩ મીતારીખે એક અસમાત
સર્જાયો હતો, અને બાઇકમાલક
સર્જાયો હતો, અને બાઇકમાલક
યુવાનનું મૃત્યુ નિપજપું હોવાનું
જાહેક કાર્યું હતું, પરંતુ હંકીક્ત એ
તાફી હોવાનો ખુલાસો થયો છે.
મૃતકની પાત્રક કાર્ય બાઈકના ચાલક સામે ગુનો નોંધી
પોલીસને ખોટી માહિતી આપવા
પાલાસન ખાટા માણતા આપવા
અંગેની કલમ નો ઉમેરો કર્યો છે.
જામનગર ખંભાળિયા ધોરી
માર્ગ પર મોટી ખાવડી પાસે માર્ગપર મોટી ખાવડી પાસે
જી.સનર શ્રી મીઠાપુર જઈ રહેલું
જા.મનગર શ્રી મીઠાપુર જઈ રહેલું
એક.મોટરસાઇકલ સ્લીપ થઇ જતાં
તેમાં ગેઠેલા બે પુરાનો પૈકી મેહુલ
યનસુખભાઈ સૉલંગર દરમિયાન
મૃત્યુ નીપજ્યું હતું. જ્યારે બાઈક
પર પાછળ બેઠેલા અન
